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Corporate Treasury Expert

$2,000/hr

RemoteContractfinance
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About this role

Apply hands-on corporate treasury expertise to complete self-contained exercises using mock bank statements, exposure schedules, and credit agreements. Each assignment requires a practical treasury deliverable evaluated against a defined rubric.

Key Responsibilities
  • Build rolling 13-week direct cash forecasts covering receipts, disbursements, and variance explanations.
  • Identify and net foreign exchange exposures, assess fixed- and floating-rate risk, and design hedges aligned with corporate policy.
  • Prepare hedge designation documentation and perform periodic effectiveness testing.
  • Analyze working-capital metrics, including DSO, DPO, and DIO; evaluate bank fees against services; assess trapped cash and repatriation options; and forecast leverage and covenant headroom.
  • Draft or update treasury policies addressing liquidity, foreign exchange, counterparties, and investments.
Qualifications
  • At least 4 years of corporate treasury experience at an operating company.
  • Hands-on experience with cash forecasting, hedging, or bank and liquidity management.
  • Preferred qualifications include CTP, ACT, AMCT, or MCT credentials, and experience with treasury management systems.
Assessment
  • Complete a 13-week cash forecast using mock bank and receivables files.
  • Prepare an FX exposure netting analysis and hedge recommendation.
  • Develop a covenant headroom forecast.
Work Terms
  • Remote, per-task independent contractor engagement.
  • Assignments focus on corporate treasury. Bank asset-liability management, funds transfer pricing, and regulatory liquidity reporting are outside the scope of this work.
Compensation
  • $2, 000 per task.

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